<- Back to All Jobs Job Overview
Job information
This vacancy information is provided by the recruiting employer.
Please apply via the employer's website.
About the Role
- Post and allocate all cash sheets (site banking), undertaking journals where necessary
- Handle queries, ensuring issues are resolved promptly and efficiently.
- Conduct full bank reconciliations and liaise with relevant teams to resolve discrepancies.
- Audit current month’s cashbook supporting documents, ensuring everything is complete and correctly authorised.
- Ensure all documents are stored correctly for easy retrieval.
- Post cash paid entries onto Keyloop (cheques & cleared banking)
About You
- Someone ideally with 2+ years relevant experience in a large accounting or finance office (automotive retail sector experience is a plus)
- Someone detail-oriented who thrives in a fast-paced, numbers-driven environment
- Someone with proficient IT skills, particularly in Microsoft Office, and ideally with Kerridge/Keyloop DMS, though not essential.
- Someone comfortable managing a high volume of transactions with accuracy and efficiency Most importantly, someone who’s positive, eager to learn, and ready to make a real impact as part of our team
Benefits
- Full tailored training: We will provide a selection of digital learning, some chosen by us to prepare you in the best possible way for your role, as well as some chosen by you for your continued development.
- Career development: Ongoing manufacturer training and development pathways across the Group.
- Financial security: Life insurance, contributory pension.
- Exclusive perks: Discounts and rewards via a dedicated employee platform.
- Referral bonuses: Up to £2,000 for successful referrals.
View & Apply ->Not quite the right role?
Create your free Whip career profile and tell us about your experience, skills and what you're looking for next.
Your profile stays private.
Create your profile →